KPP GROUP HOLDINGS CO., LTD.JP:9274Cash flow

Market cap
¥58B
P/E ratio
11.2x
2015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization6745985234335258264,4617,2267,7069,05711,298
Cash from operations -2,0875,3781,1144,0194,2174,905-6,4724,82110,30819,81711,169
Capital expenditures-559-939-1,511-8,583-546-2,077-1,776-3,182-5,957-4,147-4,773
Cash from investing -497-1,2495,596-7,9201,130-5,40023,046-2,678-8,530-5,508-16,644
Payments for dividends -532-532-532-532-532-746-741-1,098-1,326-1,611-1,883
Repurchases of common stock-1----570-126-263---2,072-1,998
Proceeds from issuance of term debt, net3,3001,5004007,0002,0306,0002,32728,3102,0507,6146,216
Repayments of term debt-6,189-3,125-4,565-6,004-2,465-2,935-687-874-1,565-26,687-14,957
Cash from financing 2,950-3,960-6,7915,760-6,6235,5046,597-11,8034,205-22,375-11,190